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BRICS doesn’t need to “collapse” the U.S. economy to matter. This video explains the real transmission channels through which coordinated BRICS actions could pressure growth, liquidity, and funding within a 12-month window: reserve diversification, trade settlement shifts, commodity invoicing, and reduced marginal demand for U.S. assets. These are plumbing changes, not headlines. When reserve managers rebalance and trade flows settle outside the dollar, the impact shows up in Treasury demand, FX volatility, and financial conditions. The adjustment is incremental but compounding—higher yields to clear auctions, tighter liquidity at the margins, and more reliance on domestic absorbers. This video breaks down what BRICS can realistically do in a year, which indicators would confirm mounting pressure, and why markets feel the effects long before any macro data declares a downturn. #BRICS #USTreasuries #CapitalFlows #BondMarkets #USDollar #MacroFinance #GlobalLiquidity #TradeSettlement #FinanceExplained Disclaimer: This content is for educational and informational purposes only and does not constitute financial or investment advice. Always do your own research or consult a qualified professional.